Search Results: 2 vacancies
...financial transactions
Duties:-
Produce monthly management statements
Review VAT reconciliations and VAT returns
Prepare working files for Annual Independent Review and Annual Audit for the external auditors
Attend to tax computation for all group entities...
...tasks required
Monthly cash flow update:
~ Compile month-end cash flow summary for FD
Auditing:
Maintaining audit file on monthly basis for next year audit
Balance sheet reconciliations
VAT reconciliations
Loan Reconciliations
Other...